Issue 21 Spring 2017

Getting Ready for the Implementation of MiFID II / MiFIR
Asset Allocation in Europe: What challenges and opportunities lie ahead?
How close are we to a Capital Markets Union?
Brexit and the Asset Management Industry
Recent Developments in European Capital Markets – Key Findings from the 2016 ECMI Statistical Package
CoCo Design, Risk Shifting Incentives and Financial Fragility
Towards the Right Policy Mix for a Thriving European Capital Market
Nothing ventured, nothing gained: How the EU can boost growth in small businesses and start-ups
Towards a better European securitisation market
Eliminating the cost of non-Europe in capital markets
Removing information Barriers to Investment in SMEs
Asset Allocation in a Low Interest Rate Environment: Where do we stand?